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Munich Personal RePEc Archive

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Group by: Date | Item ID
Number of items: 9.

2013

Šoba, Oldřich and Širůček, Martin and Havíř, Tomáš (2013): Závislost cen akcií ropných společností na ceně ropy. Published in: Trends economics and management , Vol. 7, No. 14 (2013): pp. 78-90.

2014

Širůček, Martin and Šoba, Oldřich and Němeček, Jaroslav (2014): Validita modelu CAPM na akciovém trhu USA. Published in: Trends economics and management , Vol. 8, No. 18 (2014): pp. 87-100.

Škatuĺárová, Ivana and Šoba, Oldřich and Širůček, Martin (2014): Využití metody value averaging při investicích na světových akciových trzích. Published in: Trends economics and management , Vol. 08, No. 21 (2014): pp. 65-77.

30 August 2015

Širůček, Martin (2015): Kauzalní vztah peněžní nabídky a amerického akciového trhu. Published in:

2 September 2015

Širůček, Martin and Křen, Lukáš (2015): Application of Markowitz Portfolio Theory by Building Optimal Portfolio on the US Stock Market. Published in: Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis , Vol. 63, No. 4 (3 September 2015): pp. 1375-1386.

2016

Širůček, Martin and Křen, Lukáš (2016): Tools and Techniques for Economic Decision Analysis. Published in: Tools and techniques for economic decision analysis , Vol. 1, No. 1 (2016): pp. 25-43.

Širůček, Martin and Čajka, Ondřej (2016): USING OF PE/VC BY COMPANY FINANCING AND IT´S IMPACT ON COMPANY´S STATEMENTS. Published in: Acta Academica Karviniensia , Vol. XVI, No. 4/2016 (2016): pp. 68-80.

10 June 2016

Širůček, Martin and Galečka, Ondřej (2016): Alternative Evaluation of S&P 500 index in Relation to Quantitative Easing. Published in: Forum Scientiae Oeconomia , Vol. 5, No. 1 (1 January 2017): pp. 5-18.

3 February 2017

Širůček, Martin (2017): VYUŽITÍ INDIKÁTORŮ P/E A P/BV PŘI SESTAVENÍ AKCIOVÉHO PORTFOLIA. Published in: Acta Academica Karviniensia , Vol. 2, No. XVII (31 May 2017): pp. 73-85.

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